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Repositrak Inc   (TRAK)
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Repositrak Inc

TRAK's Financial Statements and Analysis



Repositrak Inc reported in the third quarter of 2024 net earnings per share of $0.08 an improvement compare to net loss per share of $-0.42 recorded a year ago and an improvement of 14.29 % from $0.07 realized in II. Quarter (Dec 31 2023).


third quarter of 2024
Earnings Per Share Revenues
$ 0.08 $  5 Mill
$+0.50     $-248M     -97.99 %



Repositrak Inc 's Revenue fell by -97.99 % in third quarter of 2024 (Mar 31 2024) year on year, to $5 million and declined by -0.8 % sequentially.


Repositrak Inc is

More on TRAK's Income Statement



Repositrak Inc 's net income of $1.550 million in the third quarter of 2024 increased from net loss of $-22.728 million I. Quarter a year ago.

Sequentially net earnings grew by 6.84 % from net income of $1.451 million realized in previous quarter.

More on TRAK's Growth

Repositrak Inc Inventories
TRAK's Cash flow In the third quarter of 2024 company's net cash flow was $1 million, capital expenditures grew by -22.993-99.97%, to $0 millions compare to same quarter a year ago

More on TRAK's Cash flow Statement


Repositrak Inc payed out dividend of $0.05 per share in last 52 weeks representing 100.00 % of net earning per share in trailing twelve-month period.

During the same period Repositrak Inc earned $ 2.38 cash per share, on a free-cash flow basis 4768.89 % of net earning per share.

Book value grew by 0.80 % sequentially to $2.45 per share, -34196.7% of net income per share in trailing twelve-month period were contributed to shareholder value.
Tangible Book value grew to $ 1.34 per share from $ 1.31.

Company issued 0.15 million shares or 0.79 % in Mar 31 2024.
Interest Coverage Ratio was 0.43. Debt Coverage Ratio was 0.02.

More on TRAK's Dividends

 Market Capitalization (Millions) 318
 Shares Outstanding (Millions) 19
 Total Debt (Millions $) -
 Revenue (TTM) (Millions $) 285
 Net Income (TTM) (Millions $) -5
 Cash Flow (TTM) (Millions $) 19
 Capital Exp. (TTM) (Millions $) -32
 Dividend TTM ($) 0.05 $
 Dividend Yield TTM (%) 0.36 %
 Employees (TTM) $ -




Repositrak Inc payed out dividend of $0.05 per share in the last 52 weeks representing 100.00 % of net earning per share in trailing twelve-month period.

During the same period Repositrak Inc had $ 2.38 cash flow per share, on a free-cash flow basis 4768.89 % of net earning per share.

Book value grew by 0.80 % sequentially to $2.45 per share, -34196.7% of net income per share in trailing twelve-month period were contributed to shareholder value.
Tangible Book value grew to $ 1.34 per share from $ 1.31.

Company issued 0.15 million shares or 0.79 % in Mar 31 2024.
Interest Coverage Ratio was 0.43. Debt Coverage Ratio was 0.02.

More on TRAK's Balance Sheets

 Market Capitalization (Millions) 318
 Shares Outstanding (Millions) 19
 Total Debt (Millions $) -
 Revenue (TTM) (Millions $) 285
 Net Income (TTM) (Millions $) -5
 Cash Flow (TTM) (Millions $) 19
 Capital Exp. (TTM) (Millions $) -32
 Dividend TTM ($) 0.05 $
 Dividend Yield TTM (%) 0.36 %
 Employees (TTM) $ -
   


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